Browse Source

Add OCA Open Items Report XLSX

pull/367/head
jcoux 8 years ago
committed by Jordi Ballester
parent
commit
da533fff72
  1. 1
      account_financial_report_qweb/README.rst
  2. 1
      account_financial_report_qweb/report/__init__.py
  3. 68
      account_financial_report_qweb/report/abstract_report_xlsx.py
  4. 60
      account_financial_report_qweb/report/general_ledger_xlsx.py
  5. 9
      account_financial_report_qweb/report/open_items.py
  6. 117
      account_financial_report_qweb/report/open_items_xlsx.py
  7. 9
      account_financial_report_qweb/reports.xml
  8. 27
      account_financial_report_qweb/tests/test_open_items.py
  9. 9
      account_financial_report_qweb/wizard/open_items_wizard.py
  10. 2
      account_financial_report_qweb/wizard/open_items_wizard_view.xml

1
account_financial_report_qweb/README.rst

@ -23,7 +23,6 @@ Known issues / Roadmap
Some reports are being worked on and will be available at some point:
- Open Items (XLSX)
- Aged Partner Balance (XLSX)
Bug Tracker

1
account_financial_report_qweb/report/__init__.py

@ -9,5 +9,6 @@ from . import aged_partner_balance
from . import general_ledger
from . import general_ledger_xlsx
from . import open_items
from . import open_items_xlsx
from . import trial_balance
from . import trial_balance_xlsx

68
account_financial_report_qweb/report/abstract_report_xlsx.py

@ -163,6 +163,56 @@ class AbstractReportXslx(ReportXlsx):
)
self.row_pos += 1
def write_initial_balance(self, my_object, label):
"""Write a specific initial balance line on current line
using defined columns field_initial_balance name.
Columns are defined with `_get_report_columns` method.
"""
col_pos_label = self._get_col_pos_initial_balance_label()
self.sheet.write(self.row_pos, col_pos_label, label, self.format_right)
for col_pos, column in self.columns.iteritems():
if column.get('field_initial_balance'):
value = getattr(my_object, column['field_initial_balance'])
cell_type = column.get('type', 'string')
if cell_type == 'string':
self.sheet.write_string(self.row_pos, col_pos, value or '')
elif cell_type == 'amount':
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_amount
)
self.row_pos += 1
def write_ending_balance(self, my_object, name, label):
"""Write a specific ending balance line on current line
using defined columns field_final_balance name.
Columns are defined with `_get_report_columns` method.
"""
for i in range(0, len(self.columns)):
self.sheet.write(self.row_pos, i, '', self.format_header_right)
row_count_name = self._get_col_count_final_balance_name()
col_pos_label = self._get_col_pos_final_balance_label()
self.sheet.merge_range(
self.row_pos, 0, self.row_pos, row_count_name - 1, name,
self.format_header_left
)
self.sheet.write(self.row_pos, col_pos_label, label,
self.format_header_right)
for col_pos, column in self.columns.iteritems():
if column.get('field_final_balance'):
value = getattr(my_object, column['field_final_balance'])
cell_type = column.get('type', 'string')
if cell_type == 'string':
self.sheet.write_string(self.row_pos, col_pos, value or '',
self.format_header_right)
elif cell_type == 'amount':
self.sheet.write_number(
self.row_pos, col_pos, float(value),
self.format_header_amount
)
self.row_pos += 1
def _generate_report_content(self, workbook, report):
pass
@ -220,3 +270,21 @@ class AbstractReportXslx(ReportXlsx):
:return: the columns number used for filter values.
"""
raise NotImplementedError()
def _get_col_pos_initial_balance_label(self):
"""
:return: the columns position used for initial balance label.
"""
raise NotImplementedError()
def _get_col_count_final_balance_name(self):
"""
:return: the columns number used for final balance name.
"""
raise NotImplementedError()
def _get_col_pos_final_balance_label(self):
"""
:return: the columns position used for final balance label.
"""
raise NotImplementedError()

60
account_financial_report_qweb/report/general_ledger_xlsx.py

@ -16,11 +16,6 @@ class GeneralLedgerXslx(abstract_report_xlsx.AbstractReportXslx):
super(GeneralLedgerXslx, self).__init__(
name, table, rml, parser, header, store)
# Custom values needed to generate report
self.col_pos_initial_balance_label = 5
self.col_count_final_balance_name = 5
self.col_pos_final_balance_label = 5
def _get_report_name(self):
return _('General Ledger')
@ -80,6 +75,15 @@ class GeneralLedgerXslx(abstract_report_xlsx.AbstractReportXslx):
def _get_col_count_filter_value(self):
return 2
def _get_col_pos_initial_balance_label(self):
return 5
def _get_col_count_final_balance_name(self):
return 5
def _get_col_pos_final_balance_label(self):
return 5
def _generate_report_content(self, workbook, report):
# For each account
for account in report.account_ids:
@ -91,7 +95,7 @@ class GeneralLedgerXslx(abstract_report_xlsx.AbstractReportXslx):
self.write_array_header()
# Display initial balance line for account
self.write_initial_balance(account)
self.write_initial_balance(account, _('Initial balance'))
# Display account move lines
for line in account.move_line_ids:
@ -107,7 +111,7 @@ class GeneralLedgerXslx(abstract_report_xlsx.AbstractReportXslx):
self.write_array_header()
# Display initial balance line for partner
self.write_initial_balance(partner)
self.write_initial_balance(partner, _('Initial balance'))
# Display account move lines
for line in partner.move_line_ids:
@ -125,23 +129,6 @@ class GeneralLedgerXslx(abstract_report_xlsx.AbstractReportXslx):
# 2 lines break
self.row_pos += 2
def write_initial_balance(self, my_object):
"""Specific function to write initial balance for General Ledger"""
col_pos_label = self.col_pos_initial_balance_label
self.sheet.write(self.row_pos, col_pos_label, _('Initial balance'),
self.format_right)
for col_pos, column in self.columns.iteritems():
if column.get('field_initial_balance'):
value = getattr(my_object, column['field_initial_balance'])
cell_type = column.get('type', 'string')
if cell_type == 'string':
self.sheet.write_string(self.row_pos, col_pos, value or '')
elif cell_type == 'amount':
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_amount
)
self.row_pos += 1
def write_ending_balance(self, my_object, type_object):
"""Specific function to write ending balance for General Ledger"""
if type_object == 'partner':
@ -150,30 +137,9 @@ class GeneralLedgerXslx(abstract_report_xlsx.AbstractReportXslx):
elif type_object == 'account':
name = my_object.code + ' - ' + my_object.name
label = _('Ending balance')
for i in range(0, len(self.columns)):
self.sheet.write(self.row_pos, i, '', self.format_header_right)
row_count_name = self.col_count_final_balance_name
row_pos = self.row_pos
col_pos_label = self.col_pos_final_balance_label
self.sheet.merge_range(
row_pos, 0, row_pos, row_count_name - 1, name,
self.format_header_left
super(GeneralLedgerXslx, self).write_ending_balance(
my_object, name, label
)
self.sheet.write(row_pos, col_pos_label, label,
self.format_header_right)
for col_pos, column in self.columns.iteritems():
if column.get('field_final_balance'):
value = getattr(my_object, column['field_final_balance'])
cell_type = column.get('type', 'string')
if cell_type == 'string':
self.sheet.write_string(self.row_pos, col_pos, value or '',
self.format_header_right)
elif cell_type == 'amount':
self.sheet.write_number(
self.row_pos, col_pos, float(value),
self.format_header_amount
)
self.row_pos += 1
GeneralLedgerXslx(

9
account_financial_report_qweb/report/open_items.py

@ -141,10 +141,15 @@ class OpenItemsReportCompute(models.TransientModel):
_inherit = 'report_open_items_qweb'
@api.multi
def print_report(self):
def print_report(self, xlsx_report=False):
self.ensure_one()
self.compute_data_for_report()
report_name = 'account_financial_report_qweb.report_open_items_qweb'
if xlsx_report:
report_name = 'account_financial_report_qweb.' \
'report_open_items_xlsx'
else:
report_name = 'account_financial_report_qweb.' \
'report_open_items_qweb'
return self.env['report'].get_action(records=self,
report_name=report_name)

117
account_financial_report_qweb/report/open_items_xlsx.py

@ -0,0 +1,117 @@
# -*- coding: utf-8 -*-
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from . import abstract_report_xlsx
from openerp.report import report_sxw
from openerp import _
class OpenItemsXslx(abstract_report_xlsx.AbstractReportXslx):
def __init__(self, name, table, rml=False, parser=False, header=True,
store=False):
super(OpenItemsXslx, self).__init__(
name, table, rml, parser, header, store)
def _get_report_name(self):
return _('Open Items')
def _get_report_columns(self, report):
return {
0: {'header': _('Date'), 'field': 'date', 'width': 11},
1: {'header': _('Entry'), 'field': 'entry', 'width': 18},
2: {'header': _('Journal'), 'field': 'journal', 'width': 8},
3: {'header': _('Account'), 'field': 'account', 'width': 9},
4: {'header': _('Partner'), 'field': 'partner', 'width': 25},
5: {'header': _('Ref - Label'), 'field': 'label', 'width': 40},
6: {'header': _('Due date'), 'field': 'date_due', 'width': 11},
7: {'header': _('Original'),
'field': 'amount_total_due',
'type': 'amount',
'width': 14},
8: {'header': _('Residual'),
'field': 'amount_residual',
'field_final_balance': 'final_amount_residual',
'type': 'amount',
'width': 14},
9: {'header': _('Cur.'), 'field': 'currency_name', 'width': 7},
10: {'header': _('Cur. Original'),
'field': 'amount_total_due_currency',
'type': 'amount',
'width': 14},
11: {'header': _('Cur. Residual'),
'field': 'amount_residual_currency',
'type': 'amount',
'width': 14},
}
def _get_report_filters(self, report):
return [
[_('Date at filter'), report.date_at],
[_('Target moves filter'),
_('All posted entries') if report.only_posted_moves
else _('All entries')],
[_('Account balance at 0 filter'),
_('Hide') if report.hide_account_balance_at_0 else _('Show')],
]
def _get_col_count_filter_name(self):
return 2
def _get_col_count_filter_value(self):
return 2
def _get_col_count_final_balance_name(self):
return 5
def _get_col_pos_final_balance_label(self):
return 5
def _generate_report_content(self, workbook, report):
# For each account
for account in report.account_ids:
# Write account title
self.write_array_title(account.code + ' - ' + account.name)
# For each partner
for partner in account.partner_ids:
# Write partner title
self.write_array_title(partner.name)
# Display array header for move lines
self.write_array_header()
# Display account move lines
for line in partner.move_line_ids:
self.write_line(line)
# Display ending balance line for partner
self.write_ending_balance(partner, 'partner')
# Line break
self.row_pos += 1
# Display ending balance line for account
self.write_ending_balance(account, 'account')
# 2 lines break
self.row_pos += 2
def write_ending_balance(self, my_object, type_object):
"""Specific function to write ending balance for Open Items"""
if type_object == 'partner':
name = my_object.name
label = _('Partner ending balance')
elif type_object == 'account':
name = my_object.code + ' - ' + my_object.name
label = _('Ending balance')
super(OpenItemsXslx, self).write_ending_balance(my_object, name, label)
OpenItemsXslx(
'report.account_financial_report_qweb.report_open_items_xlsx',
'report_open_items_qweb',
parser=report_sxw.rml_parse
)

9
account_financial_report_qweb/reports.xml

@ -93,4 +93,13 @@
<field name="auto" eval="False"/>
</record>
<record id="action_report_open_items_xlsx" model="ir.actions.report.xml">
<field name="name">Open Items XLSX</field>
<field name="model">report_open_items_qweb</field>
<field name="type">ir.actions.report.xml</field>
<field name="report_name">account_financial_report_qweb.report_open_items_xlsx</field>
<field name="report_type">xlsx</field>
<field name="auto" eval="False"/>
</record>
</odoo>

27
account_financial_report_qweb/tests/test_open_items.py

@ -45,3 +45,30 @@ class TestOpenItems(TransactionCase):
report_html = self.env['report'].get_html(self.report, report_name)
self.assertRegexpMatches(report_html, 'Open Items')
self.assertRegexpMatches(report_html, self.report.account_ids[0].name)
def test_03_generation_report_xlsx(self):
"""Check if report XLSX is correctly generated"""
report_name = 'account_financial_report_qweb.' \
'report_open_items_xlsx'
# Check if returned report action is correct
report_action = self.report.print_report(xlsx_report=True)
self.assertDictContainsSubset(
{
'type': 'ir.actions.report.xml',
'report_name': report_name,
'report_type': 'xlsx',
},
report_action
)
# Check if report template is correct
action_name = 'account_financial_report_qweb.' \
'action_report_open_items_xlsx'
report_xlsx = self.env.ref(action_name).render_report(
self.report.ids,
report_name,
{'report_type': u'xlsx'}
)
self.assertGreaterEqual(len(report_xlsx[0]), 1)
self.assertEqual(report_xlsx[1], 'xlsx')

9
account_financial_report_qweb/wizard/open_items_wizard.py

@ -63,7 +63,12 @@ class OpenItemsReportWizard(models.TransientModel):
self.ensure_one()
return self._export()
def _export(self):
@api.multi
def button_export_xlsx(self):
self.ensure_one()
return self._export(xlsx_report=True)
def _export(self, xlsx_report=False):
"""Default export is PDF."""
model = self.env['report_open_items_qweb']
report = model.create({
@ -74,4 +79,4 @@ class OpenItemsReportWizard(models.TransientModel):
'filter_account_ids': [(6, 0, self.account_ids.ids)],
'filter_partner_ids': [(6, 0, self.partner_ids.ids)],
})
return report.print_report()
return report.print_report(xlsx_report)

2
account_financial_report_qweb/wizard/open_items_wizard_view.xml

@ -31,6 +31,8 @@
<footer>
<button name="button_export_pdf" string="Export PDF" type="object" default_focus="1" class="oe_highlight"/>
or
<button name="button_export_xlsx" string="Export XLSX" type="object"/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</footer>
</form>

Loading…
Cancel
Save